Archive for May, 2013
Quantitative Risk Analyst | NYC/Chicago
Requirements: Candidate will be using mathematical and technical skills to provide quantitative analysis and support to senior management and other risk departments. Stress testing current models and identifying any potential risks that might affect the trading products. Developing risk management tools, including enhancing existing models and designing and implementing new models. Assist in identifying financial risk issues and providing solutions Library maintenance of models to support enterprise wide risk management. Benchmark and compare results of various techniques including historical simulations Read more […]
CVA Quant Analyst | NYC
Top Investment Bank is seeking an AVP/VP Front Office CVA team in New York who mostly cover the FI space.Responsibilities:- Working closely with the traders on a day to day basis, this team has a very large trading desk to support and you will be sitting on the desk working directly with the traders every day. -Creating pricing models and develpoing/improving them.-Stress testing current models and identifying any potential risks that might affect the trading products.-Team will be involved in designing and building specific platform for which many exposure models can be easily applied. Prototypes Read more […]
Index Analyst / Portfolio Manager
Index Analyst / Portfolio Manager – Prop Shop – LondonMy client is a global leader in the proprietary trading space. They are looking for two individuals to come on board within their Equities Trading space focusing on Index analysis / strategies.1) They are looking for an exceptional Analyst who currently focuses on the research of major indexes across Asia-Pacific and the US with a focus on index rebalancing and trading the inefficiencies within this space. The successful Index Analyst will have experience working with Portfolio Managers / Traders in research and trading strategy approach across Read more […]
ABS Credit Sales
They are a bank with balance sheet but paying hard-commission. (Forbes top-10 employer) Experience in US/Euro CLOs, CDOs, CMBS, RMBS other ABS is essential. WE SEEK A MID TO SENIOR LEVEL PERSON WITH EXPERIENCE IN: Proven success and track record in flow sales with strong pl history Product knowledge of ABS and Bonds Bond sales Good portable client contacts in UK-based Hedge Funds, Real Money clients
Head of – Regulatory – Change – COO – Business Manager
A Global Markets business is looking for a Regional Head to own and lead business changes and impacts due to the current regulatory environment. The role will see you working with regional business heads to facilitate and deliver a large portfolio of work covering Dodd-Frank, EMIR and other regulatory issues.If you have the following experience:Significant business experience within a Markets lineSolid understanding of the Regulatory landscapeClear, concise and strategic business acumenExperience of running large global programmesAbility to implement and maintain programme governanceSupporting Read more […]
Italian Sales, Corporate, Financials, Structured Notes
They seek a proven producers, strong account relationships, and prior success in commission based firm (preferred, not required). Great sales track record with good pl IG Corporate Bonds Structured Notes to Italian clients Good client contacts in Insurance Cos, Asset Mgrs, Pension Funds, Hedge Funds in the region
TMT Analyst – Buyside Role – Investment Manager
An established Global Asset Manager based in New York City and dealing in convertible bonds, credit and equities is looking to build up its sector specialist equities team by adding a Telecoms, Media and Technology Analyst. The fund are multi-asset and have international presence so this is a superb opportunity for a sell side equity research analyst to move to the buyside covering their sector of expertise. The candidate will preferably be at Associate/VP level covering Telecoms or TMT at a bulge-bracket bank and will be enticed by the opportunity to move to a growing Investment Management Read more […]
US Investment Bank Fixed Income Sales, UK & Italy
This is a highly profitable US Investment Bank (not a broker) Asset Manager building out their European Fixed Income platform to match their substantial US business. With over 5000 staff, a London, Paris Swiss presence, they are now poised for significant European expansion.Proven producers, strong account relationships, and prior success in commission based firm (preferred, not required). Below are the the most urgent current hires: Credit Flow, High Yield, ABS Sales, London, CSCF-0106 Very good experience in Flow Sales track record with good plProduct knowledge of IG Corporate Financial Read more […]
Business Intelligence/Reporting Director
Position Description Position Description: This position will provide performance reporting for the Morgan Stanley Re-engineering Expense Management department. The function rolls under the department’s Performance Management operation, supervising internal and external resources to identify, gather and analyze departmental intelligence needs. Business Knowledge-Provide global reporting coverage via centralized operation-Identify intelligence needs of key stakeholders through one-to-one communications-Participate in management meetings related to intelligence reporting/analytics-Maintain communications Read more […]
Equity Research Associate, Media
Our client, a leading sell side firm, is looking for an equity research associate to join their European media teamThe role, a junior position, will support the senior analysts on the coverage of major FTSE media stocks and have responsibility for writing research, financial modelling, valuations, company sector and commercial analysis, speaking with clients, monitoring results.Candidates will come from either sell side firms, investment banking, or perhaps a very good ACA/ CFA. Media experience would, of course, be great but they will also consider a very good candidate from another sector. Read more […]
